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20 April 2024

AKAT Bodies

FUND DETAIL 1. FOND REVERZNÍCH HYPOTÉK SICAV, A.S.

Fund
Name 1. fond reverzních hypoték SICAV, a.s.
Short name 1. fond reverzních hypoték SICAV, a.s.
Start date 23/02/2021 20:51:28
Starting date of activity in the Czech Republic 22/12/2020 00:00:00
Fond type N/A
Standard/Special Special
Investment target Real estate
Allowed% of investment abroad 0 %
Management fee 0.00 % Own equity
Administrator
Short name AVANT IS, a.s.
Address Hvězdova 1716/2b, 140 00 Praha 4
Depository and auditor
Depository Česká spořitelna, a. s.
Auditor Česká spořitelna, a. s.
Class
First invest amount 0.00 CZK
Next invest amount 0 CZK
Form of share certificate / share Booked
Form In the name
Max sale fee 0.00 %
Nominal 0.00 CZK
Max redemption fee 0.00 %
Current distribution fee 0
Current sale fee 0
Current redemption fee 0
Ts 23/04/2021 20:56:37
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